Having an asset with a 2.5 #Sharperatio is great for your portfolio because it means you're getting a high return relative to the risk you're taking on.
It’s a measure of how well the investment compensates you for the volatility.
High Sharpe ratios typically indicate better risk-adjusted returns, making your overall portfolio stronger and more resilient.
So, if you're all about maximizing returns while managing risk, this is a no-brainer.
By the way, does anyone know the Sharpe ratio of #Bitcoin?